Johnston Asset Management Corp.

Hardman Johnston Global Advisors as of Dec. 31, 2020

Portfolio Holdings for Hardman Johnston Global Advisors

Hardman Johnston Global Advisors holds 79 positions in its portfolio as reported in the December 2020 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Atlassian Corp Cl A 12.4 $427M 1.8M 233.87
Melco Resorts And Entmnt Adr (MLCO) 9.9 $340M 18M 18.55
Alibaba Group Hldg Sponsored Ads (BABA) 9.8 $339M 1.5M 232.65
Aptiv SHS (APTV) 9.2 $317M 2.4M 130.29
Icici Bank Adr (IBN) 8.3 $286M 19M 14.86
Asml Holding N V N Y Registry Shs (ASML) 6.2 $213M 438k 487.74
Adobe Systems Incorporated (ADBE) 2.2 $77M 154k 500.00
NVIDIA Corporation (NVDA) 2.0 $70M 135k 522.21
Microsoft Corporation (MSFT) 2.0 $70M 316k 222.42
Mastercard Incorporated Cl A (MA) 2.0 $69M 193k 356.94
Edwards Lifesciences (EW) 1.9 $65M 712k 91.24
Universal Display Corporation (OLED) 1.8 $64M 277k 229.82
Iqvia Holdings (IQV) 1.8 $63M 349k 179.16
Advanced Energy Industries (AEIS) 1.8 $62M 643k 97.00
Astrazeneca Sponsored Adr (AZN) 1.4 $47M 944k 49.99
Apple (AAPL) 1.4 $47M 353k 132.69
Vertex Pharmaceuticals Incorporated (VRTX) 1.3 $46M 196k 236.30
Alphabet Cap Stk Cl A (GOOGL) 1.3 $44M 25k 1753.22
Genmab A/s Sponsored Ads (GMAB) 1.3 $43M 1.1M 40.66
Automatic Data Processing (ADP) 1.1 $39M 221k 176.20
Comcast Corp Cl A (CMCSA) 1.1 $37M 714k 52.40
Marsh & McLennan Companies (MMC) 1.1 $37M 314k 117.00
Albemarle Corporation (ALB) 1.0 $35M 236k 147.52
Varian Medical Systems 1.0 $33M 191k 175.01
Micron Technology (MU) 1.0 $33M 438k 75.19
Medtronic SHS (MDT) 0.9 $31M 266k 117.14
Stanley Black & Decker (SWK) 0.9 $31M 174k 178.56
Becton, Dickinson and (BDX) 0.8 $29M 116k 250.22
Metropcs Communications (TMUS) 0.8 $29M 214k 134.85
Fmc Corp Com New (FMC) 0.8 $27M 237k 114.93
Dentsply Sirona (XRAY) 0.8 $27M 517k 52.36
Johnson & Johnson (JNJ) 0.7 $26M 164k 157.38
Amazon (AMZN) 0.7 $26M 7.9k 3257.26
TJX Companies (TJX) 0.7 $25M 370k 68.29
Activision Blizzard 0.7 $25M 268k 92.84
Cerner Corporation 0.7 $25M 317k 78.48
UnitedHealth (UNH) 0.7 $23M 66k 350.79
Vertiv Holdings Com Cl A (VRT) 0.6 $22M 1.2M 18.66
Boston Scientific Corporation (BSX) 0.6 $22M 612k 35.95
FLIR Systems 0.6 $21M 480k 43.83
Cree 0.6 $20M 190k 105.90
Kratos Defense & Sec Solutio Com New (KTOS) 0.5 $18M 637k 27.43
Leidos Holdings (LDOS) 0.4 $14M 129k 105.12
Hdfc Bank Sponsored Ads (HDB) 0.4 $12M 171k 72.26
Alkermes SHS (ALKS) 0.3 $12M 591k 19.95
Facebook Cl A (META) 0.3 $11M 41k 273.01
Sea Sponsord Ads (SE) 0.3 $11M 55k 199.05
Pinterest Cl A (PINS) 0.3 $11M 159k 65.92
Alphabet Cap Stk Cl C (GOOG) 0.3 $10M 5.9k 1751.94
Abbott Laboratories (ABT) 0.2 $5.2M 48k 109.48
Enterprise Products Partners (EPD) 0.1 $4.3M 219k 19.59
Prologis (PLD) 0.1 $2.9M 29k 99.67
Procter & Gamble Company (PG) 0.1 $2.6M 19k 139.15
Gw Pharmaceuticals Ads 0.1 $2.6M 22k 115.39
Koninklijke Philips N V Ny Reg Sh New (PHG) 0.1 $2.3M 43k 54.17
Fresenius Med Care Ag&co Kga Sponsored Adr (FMS) 0.1 $2.0M 49k 41.55
M&T Bank Corporation (MTB) 0.0 $1.6M 13k 127.34
Novo-nordisk A S Adr (NVO) 0.0 $1.4M 20k 69.87
Broadcom (AVGO) 0.0 $1.1M 2.4k 437.86
Merck & Co (MRK) 0.0 $1.0M 13k 81.80
Microchip Technology (MCHP) 0.0 $1.0M 7.5k 138.13
Highwoods Properties (HIW) 0.0 $900k 23k 39.65
Taiwan Semiconductor Mfg Sponsored Ads (TSM) 0.0 $587k 5.4k 109.01
Oneok (OKE) 0.0 $551k 14k 38.36
Pagseguro Digital Com Cl A (PAGS) 0.0 $486k 8.6k 56.84
Hershey Company (HSY) 0.0 $442k 2.9k 152.41
Yandex N V Shs Class A (YNDX) 0.0 $427k 6.1k 69.60
MercadoLibre (MELI) 0.0 $400k 239.00 1673.64
Blackstone Mtg Tr Com Cl A (BXMT) 0.0 $374k 14k 27.56
Exxon Mobil Corporation (XOM) 0.0 $366k 8.9k 41.20
Jd.com Spon Adr Cl A (JD) 0.0 $365k 4.2k 87.95
New Oriental Ed & Technology Spon Adr 0.0 $354k 1.9k 185.83
Diageo Spon Adr New (DEO) 0.0 $349k 2.2k 158.64
Vodafone Group Sponsored Adr (VOD) 0.0 $305k 19k 16.49
Chevron Corporation (CVX) 0.0 $270k 3.2k 84.38
IPG Photonics Corporation (IPGP) 0.0 $224k 1.0k 224.00
Royal Dutch Shell Spons Adr A 0.0 $204k 5.8k 35.17
Energy Transfer Com Ut Ltd Ptn (ET) 0.0 $188k 31k 6.17
Eaton Vance Municipal Bond Fund (EIM) 0.0 $178k 13k 13.56